Spectrum Capital Investment Group will customize your investment selection with an asset allocation mix that meets your risk tolerance and time horizon. Spectrum Capital Investment Group will manage the asset allocation class and rebalance based on economic and market conditions. We believe with continuous portfolio management, you will have better results in your return expectations and contain the downside risk.

Investing is subject to risks including loss of principal invested. No Investment strategy, such as asset allocation, can guarantee a profit or protect against loss in periods of declining values. There may be tax consequences as a result of a rebalancing strategy in a non-tax advantaged account. International investing involves special risks such as currency fluctuation and political instability.